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CONSOLIDATED STATEMENTS OF CASH FLOWS - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Cash flows from operating activities:      
Net income (loss) $ 179,186 $ 49,891 $ (65,077)
Adjustments to reconcile net income to net cash provided by operating activities:      
Depreciation and amortization 42,747 47,991 54,655
Asset impairment 0 0 20,823
Loss on sale of the Australian wheel business 10,890 0 0
Loss on senior note repurchase 0 16,020 0
Deferred income tax benefit (23,385) (14,180) (3,007)
Income Tax Credits and Adjustments (32,043) 0 0
Gain on fixed asset and investment sale 216 569 4,152
Gain on property insurance settlement 0 0 (8,657)
Stock-based compensation 4,282 3,441 2,462
Issuance of common stock under 401(k) plan 1,627 1,235 1,245
Foreign currency translation loss (gain) 2,661 (8,930) 12,444
(Increase) decrease in assets:      
Accounts receivable (27,201) (74,736) (15,236)
Inventories (19,598) (112,850) 37,747
Prepaid and other current assets 11,366 (15,671) 2,312
Other long-term assets (1,288) (5,298) (1,071)
Increase (decrease) in liabilities:      
Accounts payable (7,754) 121,189 11,942
Other current liabilities 18,888 14,781 24,025
Other liabilities 516 (11,588) (13,226)
Net cash provided by (used for) operating activities 160,678 10,726 57,229
Cash flows from investing activities:      
Capital expenditures (46,974) (38,802) (21,680)
Proceeds from Sale of Equity Method Investments 0 0 32,852
Proceeds from property insurance settlement 0 0 8,657
Proceeds from the sale of the Australian wheel business 9,293 0 0
Other investing activities 930 1,203 13,392
Net cash provided by (used for) investing activities (36,751) (37,599) 33,221
Cash flows from financing activities:      
Proceeds from borrowings 88,940 497,149 91,639
Repurchase of senior secured notes 0 413,000 0
Payment on debt (124,739) (69,182) (126,393)
Dividends paid 0 0 (603)
Repurchase of common stock (25,000) 0 0
Proceeds from (Payments for) Other Financing Activities (511) (1,021) (3,208)
Net cash used for financing activities (61,310) 13,946 (38,565)
Effect of Exchange Rate on Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents, Continuing Operations (1,148) (6,396) (1,253)
Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents, Period Increase (Decrease), Including Exchange Rate Effect, Total 61,469 (19,323) 50,632
Supplemental Cash Flow Information [Abstract]      
Interest Paid, Excluding Capitalized Interest, Operating Activities 31,604 34,578 29,233
Income taxes paid, net of refunds received 24,105 16,263 12,355
Cash Flow, Noncash Investing and Financing Activities Disclosure [Abstract]      
Cash, Cash Equivalents, Restricted Cash, and Restricted Cash Equivalents, Including Disposal Group and Discontinued Operations $ 159,577 $ 98,108 $ 117,431